Ways to Avoid Disclosure Violations
With the growing number of items that compliance teams must monitor, including both firm and representative disclosures, tracking regulatory compliance disclosures has become even more complicated than it used to be.
Participant Education is King
401K plans are perhaps the most popular retirement savings options for employees & employers in the United States. So it is imperative for plan advisors and sponsors to educate plan participants to avoid litigation and ensure compliance with ERISA, DOL, and other statutory regulations.
How Your Portfolio Reacts Under Certain Market Conditions
RiXtrema CEO Yon Perullo joins Jill Malandrino on Nasdaq TradeTalks to discuss why the goal is to understand identifying risk and how your portfolio reacts under certain market conditions.
Leveraging Technology To Ensure Compliance And Manage Risk In A Volatile Market
RiXtrema’s original software was a portfolio risk management system focused on stress testing.
SECURE 2.0: Over-Rated or Game-Changing?
The SECURE 2.0 Act was signed by President Biden on December 29, 2022 as part of the Consolidated Appropriations Act (CAA) of 2023.
How you may fail in portfolio risk (what to do about it) (Ep. 17)
Most financial advisors are using portfolio risk measures that are just extensions of a discredited method to measure risk; risks that led to several financial collapses.